KARRIE INT'L(01050)

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嘉利国际(01050) - 2025 - 中期财报
2024-12-19 08:34
Financial Performance - Revenue for the six months ended September 30, 2024, was HK$1,526,653, an increase of 6.0% from HK$1,439,788 in 2023[14]. - Operating profit rose to HK$135,151, representing a 31.2% increase compared to HK$102,986 in the previous year[14]. - Profit for the period attributable to equity shareholders increased to HK$101,779, up 38.6% from HK$73,455 in 2023[14]. - Basic and diluted earnings per share for the period were both HK$5.0, compared to HK$3.6 in the same period last year[14]. - Total comprehensive income for the period was HK$109,461, significantly higher than HK$12,406 in 2023[16]. - The group reported a profit before taxation of $117,139,000 for the six months ended September 30, 2024, compared to $81,318,000 for the same period in 2023, indicating a growth of approximately 44.0%[53]. - Profit attributable to equity shareholders increased by approximately 39% to HK$101,779,000, up from HK$73,455,000 in the previous year, driven by robust demand for AI servers[124]. Assets and Liabilities - The unaudited consolidated total assets as of September 30, 2024, amounted to HKD 2,620,428,000, an increase from HKD 2,402,721,000 as of March 31, 2024, representing a growth of approximately 9.1%[8]. - Current assets increased to HKD 1,548,412,000 as of September 30, 2024, compared to HKD 1,342,806,000 as of March 31, 2024, reflecting a rise of about 15.4%[8]. - The total liabilities as of September 30, 2024, were HKD 1,601,064,000, an increase from HKD 1,409,717,000, indicating a rise of about 13.6%[12]. - Current liabilities decreased to HKD 1,429,089,000 from HKD 1,212,743,000, showing a reduction of approximately 1.5%[12]. - The net current assets decreased to HKD 119,323,000 from HKD 130,063,000, reflecting a decline of approximately 8.5%[12]. Cash Flow and Financing - Net cash generated from operating activities for the six months ended September 30, 2024, was HK$88,101,000, a decrease of 53.8% compared to HK$190,499,000 in 2023[23]. - Cash flows used in investing activities amounted to HK$30,533,000 for property, plant, and equipment purchases, down from HK$95,940,000 in the previous year, indicating a reduction of 68.2%[23]. - Net cash used in financing activities was HK$139,000, a significant decrease from HK$27,705,000 in 2023, reflecting improved cash management[23]. - The net increase in cash and cash equivalents for the period was HK$58,621,000, compared to HK$62,465,000 in the same period last year, showing a decrease of 6.0%[23]. - Cash and cash equivalents at the end of the period stood at HK$209,177,000, down from HK$218,715,000 in 2023, representing a decline of 4.9%[23]. - Bank borrowings increased to HKD 640,545,000 as of September 30, 2024, compared to HKD 529,692,000 as of March 31, 2024, reflecting an increase of about 21%[12]. Dividends - The company paid dividends totaling HK$80,858 during the period[18]. - The final dividend for the year ended March 31, 2024, was $80,858,000 (HK4.0 cents per share), compared to $30,322,000 (HK1.5 cents per share) in 2023, indicating a substantial increase of 167.5%[102]. - The interim dividend declared for the six months ended September 30, 2024, is HK2.5 cents per share, up from HK1.5 cents per share in the same period of 2023, marking a 66.7% increase[102]. Segment Performance - The company operates primarily in two segments: Metal and Plastic Business and Electronic Manufacturing Services Business, focusing on mechanical engineering solutions and manufacturing of data storage products[25]. - Revenue from external customers in the plastic business was $952,498,000, while the electronic manufacturing services business generated $574,141,000[48]. - Revenue from the metal and plastic business increased by approximately 14% to HK$952,498,000, with over 85% of this revenue coming from server products[129]. - The electronic manufacturing services business saw a slight decrease of approximately 5% in revenue to HK$574,141,000, indicating stable performance[130]. Operational Efficiency - The Group's manufacturing process is highly automated, utilizing advanced six-axis robots to enhance operational efficiency and reduce costs[136]. - The Group's production facilities in Dongguan and Thailand are highly automated, utilizing advanced six-axis robotic arms to cover various processes, effectively reducing production costs and improving operational efficiency[6]. - The Thailand factory, launched at the end of 2023, has reached optimal production scale and is receiving increasing orders, helping to diversify geographical risks[137]. Corporate Governance and Compliance - The interim financial report has been prepared in accordance with Hong Kong Accounting Standards and has been reviewed by the Group's audit committee, ensuring compliance and accuracy[27]. - The company has not adopted any new standards or interpretations that are not yet effective for the current accounting period, maintaining consistency in financial reporting[34]. Employee and Talent Management - Employee benefit expenses, including directors' remuneration, increased to $204,358,000 for the six months ended September 30, 2024, up from $186,032,000 in the same period of 2023, representing a growth of 9.3%[86]. - The group emphasizes talent cultivation through comprehensive training programs, including a focus on management and operational strategies[141]. - The group adopted a performance-based bonus system to reward employees based on merit[168]. Shareholder Information - Mr. Ho Cheuk Fai holds a personal interest of 278,712,000 Shares and is deemed to be interested in an additional 110,350,000 Shares held by his spouse[180]. - The total interest of Mr. Ho Cheuk Fai and Ms. Ho Po Chu in the 817,608,000 Shares includes 487,608,000 Shares held by New Sense Enterprises Limited and 330,000,000 Shares held by Castfast Properties Development Co., Limited[180]. - The share option scheme adopted on 24 August 2021 (the "2021 Scheme") was terminated on 30 August 2023, and a new share option scheme was approved on the same date[186]. Risk Management - The Group actively manages foreign currency risk through price adjustments and may use foreign exchange forward contracts as necessary[155]. - The group actively manages foreign exchange risks, particularly related to RMB fluctuations, by adjusting product prices and potentially using forward contracts[159].
嘉利国际(01050) - 2025 - 中期业绩
2024-11-28 11:00
香港交易及結算所有限公司及香港聯合交易所有限公司對本公告之內容概不負責,對其準確 性或完整性亦不發表任何聲明,並明確表示概不會就因本公告全部或任何部分內容而產生或 因倚賴該等內容而引致之任何損失承擔任何責任。 Karrie International Holdings Limited 嘉利國際控股有限公司 * (於百慕達註冊成立之有限公司) (股份代號:1050) 截至二零二四年九月三十日止六個月 未經審核中期業績 | --- | --- | --- | --- | |-------------------------------|-----------------------------------|------------|-------| | | | | | | | 截至九月三十日止六個月 二零二四年 | 二零二三年 | 變動 | | | | | | | 收入 (千港元) | 1,526,653 | 1,439,788 | 6% | | 權益持有人應佔溢利 (千港元) | 101,779 | 73,455 | 39% | | 每股基本溢利 (港仙) | 5.0 | 3.6 | 39% | | 攤薄後每股 ...
嘉利国际(01050) - 2024 - 年度财报
2024-07-29 08:36
ANNUAL REPORT 年報 2023/24 聚焦 精進 突破 . . FOCUS.BE METICULOUS.BREAKTHROUGH 2023/24 C M Y CM MY CY CMY K ai172162414817_Karrie International AR2023-24 Cover V10_Spine15mm_OP.pdf 1 22/7/2024 12:55 PM 「聚焦、精 進、突破」乃本集團持續發展的理念,為股 東提 供 豐碩回報。 "Focus, Be Meticulous, Breakthrough" are the philosophy for the sustainable development of the Group in order to provide fruitful return for shareholders. 營運以「實事求是、與時 俱進、求真務實、謹慎謀 劃」的原則 The Group is operated under "seeking truth from facts, advancing with the times, seeing pragmati ...
嘉利国际(01050) - 2024 - 年度业绩
2024-06-25 09:59
截至二零二四年三月三十一日止年度之分部業績如下: | --- | --- | --- | --- | --- | |-------------------------------------------------------------------------|---------------------------------|-----------------------------|--------------------------|----------------------------------| | | 五金塑膠 | 二零二四年 \n電子專業 | | | | | 業務 | 代工業務 | 其他 | 合共 | | | 千元 | 千元 | 千元 | 千元 | | | | | | | | 分部收入 來自外部客戶之收入 | 1,725,255 | 1,190,648 | 78 | 2,915,981 | | 分部間收入 | 20,791 | — | — | 20,791 | | 報告分部收入 | 1,746,046 | 1,190,648 | 78 | 2,936,772 | | 毛利 分銷及銷售費用及 ...
嘉利国际(01050) - 2024 - 中期财报
2023-12-20 08:30
KPMG Certified Public Accountants Public Interest Entity Auditor registered in accordance with the Financial Reporting Council Ordinance 8th Floor Prince's Building 10 Chater Road Central, Hong Kong PRINCIPAL BANKERS PRINCIPAL SHARE REGISTRAR AND TRANSFER HONG KONG BRANCH SHARE REGISTRAR AND TRANSFER OFFICE Computershare Hong Kong Investor Services Limited Rooms 1712–1716, 17th Floor Hopewell Centre 183 Queen's Road East Wanchai, Hong Kong 提名委員會 任重誠先生(主 席) 何卓明先生(二零二三年十一月二十日辭任) 劉健華博士 方海城先生 (二零二三年十一月二十日獲 委任) ...
嘉利国际(01050) - 2024 - 中期业绩
2023-11-29 10:44
本期其他全面收入: | --- | --- | --- | |-------------------|--------|---------| | | | | | — 持續經營業務 | 12,406 | (2,987) | | — 已終止經營業務 | — | 63,593 | | | | | | | 12,406 | 60,606 | 1 編製基準 經營溢利調節至除稅前溢利如下: | --- | --- | --- | |------------------------------|-----------------------------------|--------------| | | | | | | 截至九月三十日止六個月 二零二三年 | 二零二二年 | | | | (已重列) | | | 千元 | 千元 | | 經營溢利 | 102,986 | 108,216 | | | | | | 財務收入 財務成本 | 1,403 (21,553) | 720 (14,767) | | 應佔聯營公司(虧損)╱溢利 | (1,518) | 104 | | 來自持續經營業務之除稅前溢利 | 81,318 | 94,2 ...
嘉利国际(01050) - 2023 - 年度财报
2023-07-28 08:41
嘉 利 國 際 控 股 有 限 公 司 Karrie International Holdings Limited (於百姓金冊(27) naryantel Holen Hotel Hotel Hotel Hotel (100) . . 務實:營運以「實事求是、與時俱 進、求真務實、謹慎謀 劃」的原則; PRAGMATIC STABLE INNOVATIVE . . 務實 穩健 創新 . . PRAGMATIC STABLE . .INNOVATIVE 「務實、穩健、創新」乃本集團持續發展的理念,為股 東提 供 豐碩回報。 創新:我們不斷嘗試 新想 法和應用,對 技 術、產品、服務及 流程的創新改 進, 為客戶創造新價值。 Pragmatic: The Group is operated under "seeking truth from facts, advancing with the times, seeing pragmatic, planning prudently" principles; Innovative: We constantly try out new ideas and applic ...
嘉利国际(01050) - 2023 - 年度业绩
2023-06-28 14:10
截至二零二三年三月三十一日止年度業績公佈 1,152,470 1,309,610 | --- | --- | --- | --- | |------------------|-------|---------|---------| | | | | | | 物業、廠房及設備 | | 670,648 | 688,260 | | 投資物業 | | 281,865 | 332,961 | | 無形資產 | | 3,287 | 4,840 | | 於聯營公司之投資 | | 82,810 | 21,265 | | 其他金融資產 | | 13,067 | 29,216 | | 其他非流動資產 | 4 | 91,842 | 43,077 | | 遞延稅項資產 | | 8,951 | 189,991 | 資產總值 貿易應付賬款 9 350,212 375,951 應計費用及其他應付賬款 481,179 1,143,981 銀行借貸 422,372 738,434 租賃負債 6,611 7,942 應付聯營公司賬款 3,895 1,532 應付關連公司賬款 3,848 3,664 本期應付稅項 109,583 607,122 本 ...
嘉利国际(01050) - 2023 - 中期财报
2022-12-21 08:41
嘉 利 國 際 控 股 有 限 公 司 Karrie International Holdings Limited (於百ङ建註冊成立之有限公司 Incorporated in Bermuda with limited liability) 香港交易所上市编號 HKEx Listing Code (1050) DREAMS · PERSISTENCE 初心・續航 INTERIM REPORT 中期報告 2022/23 CORPORATE INFORMATION REGISTERED OFFICE Clarendon House 2 Church Street Hamilton HM11 Bermuda | --- | --- | |------------------------------------------------------------------------------------------|---------------------------------------------------------| | | | | 9th Floor | 香 港 | | Southeast Indu ...
嘉利国际(01050) - 2022 - 年度财报
2022-07-22 08:58
DREAMS.PERSISTENCE 初心.續航 2021/22 ANNUAL REPORT 年 報 初心 • 續航 封面的花形積木模具源於1971年,由嘉利集團創辦人何焯輝先生以匠人之心 親手打造,象徵何先生對實踐工業夢想之初心。 「初心 • 續航」彰顯了何先生對企業要實踐百年基業的決心。 初心是深植於嘉利企業文化的根源,續航乃有效推動夢想的能源。可持續發展 是集團持之以恆的目標,懷著初心,譜出未來,致力為持份者帶來豐碩成果。 Dreams • Persistence The flower-shaped block mold on the cover was originally designed in 1971 and was hand-made by the founder of Karrie Group, Mr. Ho Cheuk Fai, with a craftsmanship spirit, symbolizing Mr. Ho's original intention to achieve his industrial dreams. "Dreams • Persistence" demons ...